DAVIS APPRECIATION & INCOME FUND CLASS Y(DCSYX) USD 48.14
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.39%USD 0.189USD0.1892023-03-29
20222.83%USD 1.361USD0.9912022-12-28
USD0.1672022-10-03
USD0.12022-06-28
USD0.1032022-04-01
20210.67%USD 0.324USD0.08052021-12-29
USD0.0752021-10-01
USD0.0712021-06-23
USD0.0972021-04-01
20200.98%USD 0.473USD0.12152020-12-29
USD0.1172020-10-01
USD0.1172020-06-25
USD0.1172020-04-01
20192.08%USD 1.002USD0.55312019-12-27
USD0.1832019-10-01
USD0.1342019-06-26
USD0.1322019-04-01
20181.10%USD 0.53USD0.212018-12-27
USD0.0972018-10-01
USD0.1252018-06-27
USD0.0982018-04-02
20170.95%USD 0.458USD0.1232017-12-27
USD0.1122017-10-02
USD0.112017-06-28
USD0.1132017-04-03
20160.94%USD 0.453USD0.16852016-12-28
USD0.0972016-10-03
USD0.09252016-07-01
USD0.09452016-04-01
20150.93%USD 0.447USD0.1192015-12-29
USD0.1092015-10-01
USD0.1172015-07-01
USD0.1022015-04-01
20140.87%USD 0.419USD0.0572014-12-29
USD0.122014-10-01
USD0.1182014-07-01
USD0.1242014-04-01
20130.95%USD 0.455USD0.1022013-12-27
USD0.1252013-10-01
USD0.1232013-07-01
USD0.1052013-04-01
20121.07%USD 0.517USD0.1752012-12-27
USD0.1142012-10-01
USD0.1162012-07-02
USD0.1122012-04-02
20111.08%USD 0.518USD0.20352011-12-29
USD0.1022011-10-03
USD0.10752011-07-01
USD0.1052011-04-01
20100.96%USD 0.462USD0.1472010-12-30
USD0.10252010-10-01
USD0.1052010-07-01
USD0.1072010-04-01
20090.96%USD 0.463USD0.1832009-12-30
USD0.09422009-10-01
USD0.09362009-07-01
USD0.09252009-04-01
20081.26%USD 0.606USD0.0692008-12-30
USD0.1782008-10-01
USD0.182008-07-01
USD0.1792008-04-01
20074.18%USD 2.01USD0.13722007-12-28
USD1.32762007-12-03
USD0.18252007-10-01
USD0.1832007-07-02
USD0.182007-04-02
20065.20%USD 2.504USD0.15152006-12-28
USD1.78632006-12-01
USD0.18852006-10-02
USD0.1892006-07-03
USD0.1892006-04-03
20052.76%USD 1.33USD0.0992005-12-29
USD0.64112005-12-01
USD0.1982005-10-03
USD0.19652005-07-01
USD0.1952005-04-01
20041.50%USD 0.722USD0.11082004-12-30
USD0.2042004-10-01
USD0.20372004-07-01
USD0.2032004-04-01
20031.62%USD 0.78USD0.1472003-12-30
USD0.21152003-10-01
USD0.2112003-07-01
USD0.21032003-04-01
20021.75%USD 0.842USD0.212002-12-30
USD0.21022002-10-01
USD0.21092002-07-01
USD0.21052002-04-01
20011.73%USD 0.834USD0.22001-12-28
USD0.2112001-10-01
USD0.21122001-07-02
USD0.21152001-04-02
20002.29%USD 1.102USD0.2612000-12-28
USD0.192000-11-30
USD0.2122000-10-02
USD0.21752000-07-03
USD0.22152000-04-03